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Unit Prices

Vanguard International Shares Index (Hedged)

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

18/03/2015

2.313531

2.306382

17/03/2015

2.290504

2.283426

16/03/2015

2.294554

2.287463

13/03/2015

2.270158

2.263143

12/03/2015

2.275498

2.268465

11/03/2015

2.254025

2.247059

10/03/2015

2.247805

2.240858

09/03/2015

2.279173

2.272129

06/03/2015

2.279951

2.272905

05/03/2015

2.297728

2.290627

04/03/2015

2.289394

2.282319

03/03/2015

2.293674

2.286586

02/03/2015

2.304546

2.297424

28/02/2015

2.296387

2.289291

27/02/2015

2.296387

2.289291

26/02/2015

2.298577

2.291473

25/02/2015

2.294717

2.287625

24/02/2015

2.296902

2.289803

23/02/2015

2.289639

2.282563

20/02/2015

2.286251

2.279186

19/02/2015

2.276374

2.269339

18/02/2015

2.272519

2.265496

17/02/2015

2.267606

2.260598

16/02/2015

2.262700

2.255707

13/02/2015

2.262952

2.255959

12/02/2015

2.252852

2.245890

11/02/2015

2.231490

2.224594

10/02/2015

2.231832

2.224934

09/02/2015

2.214555

2.207711

06/02/2015

2.223233

2.216363

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211